Eric Fine — Portfolio Manager, Active Emerging Markets Debt
With over 30 years' experience dedicated solely to emerging markets debt, Eric Fine offers unparalleled insights developed from a truly unique background. Ask him about WWII espionage, growing up as the son of two U.S. diplomats, or building Russia's first clearing system. Those experiences fuel his unique contrarian thinking and a perspective that consistently explains why emerging market debt compares favorably to domestic markets, even when conventional wisdom says otherwise. As Portfolio Manager for our active emerging market bond strategies, he oversees asset allocation and security selection. From Argentina to Zambia, and everything in between, Eric's got emerging markets debt covered.